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Belysse Group NV

Report Publication Announcement Apr 26, 2019

3918_rns_2019-04-26_7b8042cd-cbe1-426f-a52d-139b04a04093.pdf

Report Publication Announcement

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40
NAT.
Date of the deposition No. 0671.974.626 1
Е.
pp.
EUR
D.
C 1
ANNUAL ACCOUNTS AND OTHER DOCUMENTS TO BE DEPOSITED
IN ACCORDANCE WITH THE COMPANIES CODE
IDENTIFICATION
NAME: BALTA GROUP
Legal form: PLC
Postal Code: 8710
Country: Belgium
Address: Wakkensteenweg
Register of Legal Persons (RLP) - Office of the commercial court at: Gent, Division Kortrijk
City: Wielsbeke Nr: 2
Internet address: 1
Company number: 0671.974.626
DATE 27/06/2017
publication of the partnership deed and the act changing the articles of association.
of the deposition of the partnership deed OR of the most recent document mentioning the date of
ANNUAL ACCOUNTS IN EURO (2 decimals) 2
ANNUAL ACCOUNTS approved by by the General Meeting of 28/05/2019
concerning the financial year covering the period from 1/01/2018 till 31/12/2018
Previous period from 1/03/2017 till 31/12/2017
The amounts of the previous financial year are / $\text{area}$ identical to those which have been previously published.
Total number of pages deposited: 31
of service: 6.1, 6.2.1, 6.2.2, 6.2.3, 6.2.4, 6.2.5, 6.3.1, 6.3.2, 6.3.3, 6.3.4, 6.3.5, 6.3.6, 6.4.2, 6.4.3, 6.5.2, 6.6, 6.8, 6.11, 6.12,
6.17, 6.20, 7, 8, 9, 10, 11, 12, 13, 14, 15, 16
Number of the pages of the standard form not deposited for not being
Signature
(name and position)
Ragoucy Cyrille
CEO - Managing Director
Signature
(name and position)
Fryzuk Jeremy
Director

$\overline{\mathbf{r}}$

3 Delete where appropriate.

1 Optional statement.

2 If necessary, adjust the unit and currency in which the amounts are expressed

Nr. 0671.974,626

LIST OF DIRECTORS, MANAGERS AND AUDITORS

COMPLETE LIST WITH name, first name, profession, residence-address (address, number, postal code, municipality) and position with the enterorise

RAGOUCY Cyrille

Rue de l'Assomption 77, 75016 Paris, France Title : Delegated director Mandate: 16/06/2017-27/05/2021

FRYZUK Jeremy

Plembridge Crescent 19, box a, W11 3DS Londen, United Kingdom Title : Director Mandate: 29/05/2017-27/05/2021

KOLBECK Michael

Campden Street 51, W8 7ET Londen, United Kingdom Title: Director Mandate: 1/03/2017-27/05/2021

Accelium PLLC 0675.830.177

Bijlkensveldstraat 7, 3080 Tervuren, Belgium Title : Director Mandate: 16/06/2017-27/05/2021

Represented by: 1. VANDEN ABEELE Nicolas Bijlkensveldstraat 7 . 3080 Tervuren, Belgium

HEDGER Sarah

De Walden Street 13, WIG8RW Londen, United Kingdom Title : Director Mandate: 16/06/2017-27/05/2021

STRONG Hannah Terrace Road 36, 7ES Londen, United Kingdom Title : Director Mandate: 29/05/2017-27/05/2021

LEBRETON Patrick Howitt Road 22, NW3 4LL Londen, United Kingdom Title: Director Mandate: 29/05/2017-27/05/2021

MORAR Neal Uphill Road 4, NW7 4RB Londen, United Kingdom Title : Director Mandate: 1/03/2017-27/05/2021

LIST OF DIRECTORS, MANAGERS AND AUDITORS (Continued from previous page)

GRAEUBIG Karoline

Hasiemere Road 19, box a, N21 3AB Londen, United Kingdom Title : Director Mandate: 29/05/2017-1/03/2018

Kairos Management PLLC 0649.586.234

Beukenlaan 80, 1653 Dworp, Belgium

Title : Delegated director

Mandate: 1/03/2017-26/08/2018

Represented by:

  1. DEBUSSCHERE Tom Beukenlaan 80, 1653 Dworp, Belgium

PricewaterhouseCoopers Bedrijfsrevisoren 0429.501.944 Woluwedal 18, 1932 Sint-Stevens-Woluwe, Belgium Title : Auditor, Membership number : B00009 Mandate: 1/03/2017-28/05/2020 Represented by: 1. Opsomer Peter

Blue Tower 1, Sluisweg 1, box 8, 9000 Gent, Belgium Revisor, Membership number: A01838

DECLARATION ABOUT SUPPLEMENTARY AUDITING OR ADJUSTMENT MISSION

The managing board declares that the assignment neither regarding auditing nor adjusting has been given to a person who was not authorised by law pursuant to art. 34 and 37 of the Law of 22nd April 1999 concerning the auditing and tax professions.

Have the annual accounts been audited or adjusted by an external accountant or auditor who is not an statutory auditor ? $\frac{1}{100}$ No

If YES, mention here after: name, first names, profession, residence-address of each external accountant or auditor, the number of membership with the professional Institute ad hoc and the nature of this engagement:

  • A. Bookkeeping of the undertaking **,
  • B. Preparing the annual accounts **
  • C. Auditing the annual accounts and/or
  • D. Adjusting the annual accounts.

If the assignment mentioned either under A or B is performed by authorised accountants or authorised accountants-tax consultants, information will be given on: name, first names, profession and residence-address of each authorised accountant or accountant-lax consultant, his number of membership with the Professional Institute of Accountants and Tax consultants and the nature of this engagement.

Name, first name, profession, residence-address Number of
membership
Nature of the
engagement
$(A, B, C \text{ and/or } D)$
.

Delete where appropriate.

** Optional disclosure.

ANNUAL ACCOUNTS

BALANCE SHEET AFTER APPROPRIATION

Notes Codes Period Previous period
ASSETS
FORMATION EXPENSES 6.1 $20^{\circ}$
FIXED ASSETS And Communications and Communications and 21/28 468.927.446.90 468.927.446.90
Intangible fixed assets and consumer and community $6.2^{\circ}$ 21
Tangible fixed assets 6.3 22/27
Land and buildings 22
Plant, machinery and equipment 23
Fumilure and vehicles 24
Leasing and other rights 25
Other tangible fixed assets 26
Tangible assets under construction and advance
payments made
27
Financial fixed assets 6.4/
6.5.1
28 468,927.446,90 468.927.446,90
Affiliated enterprises 6.15 280/1 468.927.446,90 468.927.446.90
Participating interests 280 468,927,446,90 468.927.446.90
Amounts receivable 281
Other enterprises linked by participating interests 6.15 282/3
282
Participating interests 283
Amounts receivable
Other financial assets
284/8
Shares 284
Amounts receivable and cash guarantees 285/8
Notes Codes Period Previous period
CURRENT ASSETS CONTROLL CONTROL 29/58 3.207.576.76 8.034.786,50
Amounts receivable after more than one year 29
Trade debtors 290
Other amounts receivable 291
Stocks and contracts in progress 3
Stocks 30/36
Raw materials and consumables 30/31
Work in progress 32
Finished goods 33.
Goods purchased for resale 34
Immovable property intended for sale 35
Advance payments 36
Contracts in progress 37
Amounts receivable within one year communication. 40/41 3.203.720.48 7.878.941.13.
Trade debtors 40 3.127.551.34 7,878.941.13
Other amounts receivable 41 76.169.14
Current investments 6.5.11
6.6
50/53
Own shares 50
Other investments and deposits 51/53
Cash at bank and in hand manuscripture communities 54/58 3.856,28 155.845,37
Deferred charges and accrued income 6.6 490/1
TOTAL ASSETS 20/58 472.135.023.66 476.962.233.40

ł ÷

Notes Codes Period Previous period
EQUITY AND LIABILITIES
EQUITY ADDRESS CONTRACTORS AND THE CONTRACTORS OF THE CONTRACTORS OF THE CONTRACTORS OF THE CONTRACTORS OF THE CONTRACTORS OF THE CONTRACTORS OF THE CONTRACTORS OF THE CONTRACTORS OF THE CONTRACTORS OF THE CONTRACTORS OF T 10/15 471.236,706.21 471.011.432.44
Capital monocinemal experiences and construction of the company 6.7.1 10 260.589.621,00 260.589.621,00
Issued capital 100 260.589.621,00 260.589.621.00
Uncalled capital 4 manufacture continues and capital 101
Share premium account communication in the premium 11 65.660,376.00 65.660.376.00
Revaluation surpluses 12 1
Reserves 13 147.124.528,32 147.124.528.32
Legal reserve 130
Reserves not available 131
in respect of own shares held 1310
Others 1311
Untaxed reserves 132
Available reserves 133 147.124.528,32 147.124.528,32
Accumulated profits (losses) 14 $-2.137.819.11$ $-2.363.092,88$
Investment grants 15
Advance to associates on the sharing
out of the assets 5
19
PROVISIONS AND DEFERRED TAXES 16
Provisions for liabilities and charges 160/5
Pensions and similar obligations 160
Taxation 161
Major repairs and maintenance 162
Environmental liabilities 163
Other risks and costs 6.8 164/5
Deferred taxes 168

$\overline{A}$ Amount to be deducted from the issued capital.

$\overline{\mathbf{5}}$ Amount to be deducted from the other components of equity.

$\Box$

$C$ 3.2

Notes Codes Period Previous period
AMOUNTS PAYABLE 17/49 898.317,45 5.950.000.96
Amounts payable after more than one year ·6.9. 17
Financial debts 170/4
Subordinated loans 170
Unsubordinated debentures 171
Leasing and other similar obligations www.www.com 172
Credit institutions 173
Other loans 174.
Trade debts 175
Suppliers 1750.
Bills of exchange payable 1751
Advances received on contracts in progress 176
Other amounts payable 178/9
Amounts payable within one year manufactured and 6.9 42/48 898.317.45 5.950.800,96
Current portion of amounts payable after more than
one year failing due within one year
42
Financial debts 43
Credit institutions 430/8
Other loans 439
Trade debts 44 777.879,56 2.334.545,86
Suppliers 440/4 777.879,56 2.334.545,86
Bills of exchange payable 441
Advances received on contracts in progress 46
Taxes, remuneration and social security 6.9 45 58.937,89 206,960,83
Taxes 450/3 22.013.29 198.085.41
Remuneration and social security 454/9 36.924,60 8,875,42
Other amounts payable 47/48 61.500,00 3.409.294.27
Accrued charges and deferred income 6.9 492/3
TOTAL LIABILITIES 10/49 472,135.023,66 476.962.233,40

÷ $\ddot{\ddot{z}}$

$\overline{c4}$

INCOME STATEMENT

Notes Codes Period Previous period
Operating income and charges 70/76A 3.633.673,51 9.831.176.36
TUM TOVOT 6.10 70 3,633,673.51 9.831.176.36
increase (decrease) in stocks of finished goods, work
and contracts in progress
71
Own construction capitalised 72
Other operating income 6.10 74
Non-recurring operating income manuscripture and con- 6.12 76A
Operating charges 60/66A 3.409.028,87 12.191.354.85
Raw materials, consumables 60
Purchases 600/8
Decrease (increase) in stocks 609
Services and other goods 61 3.390.223.45 12.169.257.35
Remuneration, social security costs and pensions . (+)/(-) 6.10 62
Depreciation of and amounts written off formation
expenses, intangible and tangible fixed assets
630
Increase, Decrease in amounts written off stocks
contracts in progress and trade debtors: Appropriations
(write-backs)
631/4
Provisions for risks and charges - Appropriations (uses
and write-backs)
6.10 635/8
Other operating charges 6.10 640/8 18.805.42 22.097.50
Operation charges carried to assets as restructuring
COS(S
649
Non-recurring operating charges 6.12 66A
Operating profit (loss) 9901 224.644.64 $-2.360.178.49$

$\ddot{\ddot{z}}$

Notes Codes Period Previous period
Financial Income component components and components 75/768 7.760,85
Recurring financial income 75 7.760.85
income from financial fixed assets 750
Income from current assets 751
Other financial Income 6.11 752/9 7.760,85
Non-recurring financial income 6.12 76B
Financial charges 6.11 65/66B 7.131.72 2.914,39
Recurring financial charges 65 7.131.72 2.914.39
Debt charges 650
Amounts written down on current assets except
stocks, contracts in progress and
trade debtors
651
Other financial charges 652/9 7.131,72 2.914.39
Non recurring financial charges 6.12 66B
Profit (loss) for the period before taxes (+)/(-) 9903. 225,273,77 $-2.363.092,88$
Transfer from postponed taxes 780
Transfer to postponed taxes 680
Income taxes $\ldots$ 6.13 67/77
income taxes 670/3
Adjustment of income taxes and write-back of tax
provisions
77
Profit (loss) for the period $\ldots$ , $\ldots$ , $\ldots$ , $\ldots$ , $\ldots$ , $(+)$ / $($ -) 9904 225, 273, 77 -2.363.092.88
Transfer from untaxed reserves 789
Transfer to untaxed reserves 689
Profit (loss) for the period available for
appropriation $\cdots$
9905 225.273.77 -2.363.092.88

$\overline{c4}$

Nr. 0671.974.626

APPROPRIATION ACCOUNT

Profit (loss) to be appropriated manufacture manufacture (+)(-)
Gain (loss) to be appropriated
Profit (loss) to be carried forward
Transfers from capital and reserves communication in the manuscriptum
from capital and share premium account
from reserves communications in communications and community
Transfers to capital and reserves substitutional continuum continuum
to capital and share premium account
to the legal reserve
to other reserves
Profit (loss) to be carried forward
Owner's contribution in respect of losses
Profit to be distributed www.management.com/www.management.com
Dividends
Director's or managers' entitlements
Workers
Other beneficiaries
Codes Period Previous period
99D6 $-2.137.819.11$ -2.363.092.88
(9905) 225.273,77 $-2.363.092,88$
14P $-2.363.092,88$
791/2 150,000,000,00
791 150.000.000,00
792
691/2 147.124.528.32
691
6920
6921 147.124.528.32
(14) $-2.137.819,11$ $-2.363.092.88$
794
694/7 2.875.471,68
694 2.875.471.68
695
696
697

$\overline{c5}$

STATEMENT OF FINANCIAL FIXED ASSETS

Codes Period Previous period
AFFILIATED ENTERPRISES - PARTICIPATING INTERESTS AND
SHARES
Acquisition value at the end of the period communication continuum 8391P xxxxxxxxxxxxxx 468.927.446,90
Movements during the period
Acquisitions, including produced fixed assets minimum communication 8361
Sales and disposals monoming monoming and consideration and consideration 8371
Transfers from one heading to another 5381
Acquisition value at the end of the period communication communication 8391 468.927,446,90
Revaluation surpluses at the end of the period manufacture in the manufacture :8451F XXXXXXXXXXXXXXX
Movements during the period
Recorded 8411
Acquisitions from third parties 8421
Cancelled promotional construction of the company of the contract of the contract of the 8431
Transfers from one heading to another 8441
Revaluation surpluses at the end of the period make manufacture in the 8451
Amounts written down at the end of the period mummunically interesting 8521P xxxxxxxxxxxxxx
Movements during the period
Recorded 8471
Written back accommodation common construction of the common common construction 8481
Acquisitions from third parties 8491
Cancelled owing to sales and disposals 8501
Transfers from one heading to another 8511
Amounts written down at the end of the period 8521
Uncalled amounts at the end of the period 8551P xxxxxxxxxxxxxx
Movements during the period manumulation manumulation manumul+)/(-) 8541
Uncalled amounts at the end of the period 8551
NET BOOK VALUE AT THE END OF THE PERIOD (280) 468.927.446.90
AFFILIATED ENTERPRISES - AMOUNTS RECEIVABLE
NET BOOK VALUE AT THE END OF THE PERIOD 281P XXXXXXXXXXXXXXX
Movements during the period
Additions 8581
Repayments 8591
Amounts written down 8601
Amounts written back 8611
Exchange differences 8621
$\Omega$ ther 8631
NET BOOK VALUE AT THE END OF THE PERIOD (281)
ACCUMULATED AMOUNTS WRITTEN OFF ON AMOUNTS
RECEIVABLE AT THE END OF THE PERIOD www.commonweat.common.
8651

INFORMATION RELATING TO THE SHARE IN THE CAPITAL

SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES

List of both enterprises in which the enterprise holds a participating interest (recorded in the headings 280 and 282 of assets)
and other enterprises in which the enterprise holds rights (recorded in the headings 284 and

NAME, full address of the REGISTERED
OFFICE and for the enterprise governed
DY
Belgian law, the COMPANY NUMBER
Shares held by Information from the most recent period for
which annual accounts are available
directly subsi-
Idianes
Primary Mone-Capital and reserves Net result
Nature Number % % financial
statement
tary
unit
(+) of (-)
(in units)
LSF9 Balta Issuer S.à r.I
Boulevard F.W. Raiffelsen 15
L-2411 Luxemburg
Luxembourg
Registored
shares without
nominal value:
137,848.44
6
100,00 0,00 31/12/2017 EUR 289.266,325 -3.238.108

STATEMENT OF CAPITAL AND SHAREHOLDING STRUCTURE

STATEMENT OF CAPITAL Codes Period Previous period
Social capital
Issued capital at the end of the period 100P XXXXXXXXXXXXXX 260,589,621,00
Issued capital at the end of the period (100) 260,589.621,00
Codes Amounts: Number of shares
Changes during the period
Structure of the capital
Different categories of shares
Shares without nominal value. 260.589.621,00 35.943.396
Registered shares 8702 XXXXXXXXXXXXXX
Shares dematerialized 8703 XXXXXXXXXXXXX 35,943.396
Codes Uncalled capital Capital called,
but not paid.
Capital not paid
Uncalled capital (101) XXXXXXXXXXXXX
Capital called, but not paid 8712 XXXXXXXXXXXXX
Shareholders having yet to pay up in full
Codes Period
OWN SHARES
Held by the company itself
Amount of capital held
.
het is the is het het het is is is is is in the indicate of the heart is distributed and the islamic complete the side of the islamic
8721
Number of shares held in communications in communications and constructions in communications 8722
Held by the subsidiaries
Amount of capital held
.
. 1943-1953 1943 1943 1943 1943 1953 1954 1954 1955 1967 1968 1969 1969 1969 1969 1969 1969 1979 1989 1999 1999 1999 1999 1999 199
8731
Number of shares held communication communication communication communication 8732
Commitments to issue shares
Owing to the exercise of conversion rights
Amount of outstanding convertible loans environmental convergencement constructions and converter 8740
Amount of capital to be subscribed 8741
Corresponding maximum number of shares to be issued maximum communication continuum 8742
Owing to the exercise of subscription rights
Number of outstanding subscription rights [11] maintain continuum continuum continuum continuum 8745
Amount of capital to be subscribed municipal manufacture in the continuum continuum construction 8746
Corresponding maximum number of shares to be issued may be consumed to a construct the maximum 8747

Authorized capital, not issued manufactured and communications and constructions and 8751 260.589.621,00

Nr. 0671.974.626 C6.7.1
Shared Issued, not representing capital Codes Period
Distribution
Number of shares held incompound communication in a monoton communication of the property 8761
Number of voting rights attached thereto communications of construction of the communication 8762
Allocation by shareholder
Number of shares held by the company itself 8771
Number of shares held by its subsidairies component communication communications 8781

STRUCTURE OF SHAREHOLDINGS OF THE ENTERPRISE AT YEAR-END CLOSING DATE

as shown by the notifications received by the company in accordance with the Companies Code, Article 631 §2, final paragraph, and
Article 632 §2, final paragraph; the act of 2 May 2007 on the disclosure of major holdings,

Structure of shareholders based on the declarations received in the period up to December 31, 2018

Structure of shareholders
$ E$ thousand
At IPO Current Upon vesting of
the MIP* shares
iNumber 196 lNumber 1% INumber IX.
lLSF9 Balta Holdco S.à r.l. 20.303.957 56.50% 19.856.416 155.20% 119.408.879 154.00%
Management 1273.637 10.80% 397.414 1.10% 633.592 1.80%
Public 15.365.802 142,80% 15.689.566 43.70% 15.900.925 144.20%
35.943.396 100% 35.943.396 100% 35.943.396 1100%

*MIP = Management Incentive Plan

STATEMENT OF AMOUNTS PAYABLE, ACCRUED CHARGES AND DEFERRED INCOME

Codes Period
BREAKDOWN OF AMOUNTS PAYABLE WITH AN ORIGINAL PERIOD TO MATURITY
OF MORE THAN ONE YEAR, ACCORDING TO THEIR RESIDUAL TERM
Current portion of amounts payable after more than one year falling due within one year
Financial debts 8801
Subordinaled loans 8611
Unsubordinated debentures with an anti-communication of the continuum communication of 8821
Leasing and other similar obligations management and construction and constructions 8831
Credit institutions 8841
Other loans manufacture in communication in the international communication in the international content 8851
Trade debis 8861
Suppliers 8871
Bills of exchange payable 8881
Advance payments received on contracts in progress 8891
Other amounts payable maintenancement and concernancement and concernance in the concernance 8901
Total amounts payable after more than one year, not more than one year manufactured manufacture (42)
Amounts payable after more than one year, between one and five years
Financial debts 8802
Subordinated Joans 8612
Unsubordinated debentures 8822
Leasing and other similar obligations 8832
Credit institutions 8842
Olher loans and the commutation of the commutation of the commutation of the commutation of the commutation of 8852
Trade debts mannouannessen monumentale minimisere en monumentale commencementale 8862
Suppliers 8872
Bills of exchange payable announcement construction community and construction of exchange payable 8882
Advance payments received on contracts in progress 8892
Other amounts payable www.communication.com/communication.com/communication.com/communication 8902
Total amounts payable after more than one year, between one and five years mummummum 8912
Amounts payable after more than one year, over five years
Financial debts 8803
Subordinated loans 8813
Unsubordinated debentures 8823
Leasing and other similar obligations 8833
Credit institutions and communications construction and construction and communications and construction 8843
Other loans manimum and an equipment of the community of the local production of the loan of the community of the loan of the community of the loan of the community of the community of the community of the community of the 8853
Trade debts 8863
Suppliers 8873
Bills of exchange payable 8883
Advance payments received on contracts in progress 8893
Other amounts payable successive consequences consequences are approximately consequences in 8903
Total amounts payable after more than one year, over five years 8913
Codes Period
AMOUNTS PAYABLE GUARANTEED (headings 17 and 42/48 of liabilities)
Amounts payable guaranteed by Belgian public authorities
Financial debts ……………………………………………………………………………………………… 8921
Subordinated loans 8931
Unsubordinated debentures 8941
Leasing and other similar obligations 8951
Credit institutions ……………………………………………………………………………………………… 8961
Other loans 8971
Trade debts 8981
Suppliers 8991
Bills of exchange payable 9001
Advance payments received on contracts in progress 9011
Remuneration and social security 9021
Other amounts payable 9051
Total amounts payable guaranteed by Belgian public authorities www.manuteum.manuteum.com 9061
Amounts payable guaranteed by real guarantees given or Irrevocably promised by the
enterprise on its own assets
Financial debts ……………………………………………………………………………………………… 8922
Subordinated loans 8932
Unsubordinated debentures 8942
Leasing and other similar obligations 8952
Credit institutions ……………………………………………………………………………………………… 8962
Other loans 8972
Trade debts ……………………………………………………………………………………………… 8982
Suppliers 8992
Bills of exchange payable 9002
Advance payments received on contracts in progress 9012
Taxes, remuneration and social security (i.e. m. m. m. m. m. m. m. m. m. m. m. m. m. 9022
Taxes 9032
Remuneration and social security 9042
Other amounts payable 9052
Total amounts payable guaranteed by real guarantees given or irrevocably promised by the
enterprise on its own assets consumer and consumer and consumer and consumer and consumer
9062
Codes Period
AMOUNTS PAYABLE FOR TAXES, REMUNERATION AND SOCIAL SECURITY
Taxes (headings 450/3 and 178/9 of the liabilities)
Expired taxes payable 9072
Non expired taxes payable 9073 22.013.29
Estimated taxes payable 450
Remuneration and social security (headings 454/9 and 178/9 of the liabilities)
Amount due to the National Office of Social Security (manumental manumental construction manumental 9076
Other amounts payable relating to remuneration and social security 9077 36.924.60

٦

Ť, ÷.

Nr.
0671.974.626
C 6.9
ACCRUED CHARGES AND DEFERRED INCOME Period
Allocation of heading 492/3 of liabilities if the amount is significant

$\frac{1}{4}$ $\ddot{\phantom{a}}$

OPERATING RESULTS

VELIVITING NLOVETV Codes Period Previous period
OPERATING INCOME
Net turnover
Broken down by categories of activity
Affocation into geographical markets
Other operating income
Operating subsidies and compensatory amounts received from public
authorities
740
OPERATING COSTS
Employees for whom the company has submitted a DIMONA declaration
or are recorded in the general personnel register
Total number at the closing date 9086
Average number of employees calculated in full-time equivalents 9087
Number of actual worked hours. 9088
Personnel costs
Remuneration and direct social benefits 620
Employers' social security contributions manufactured contractors and 621
Employers' premiums for extra statutory insurances 622
Other personnel costs 623
Old-age and widows' pensions successive construction and continuously 624

0671.974.626 $\sqrt{Nr}$

Codes Period Previous period
Provisions for pensions
Additions (uses and write-back) 635
Amounts written off
Stocks and contracts in progress
Recorded 9110
Written back 9111
Trade debtors
Recorded 9112
Written back 9113
Provisions for risks and charges
Additions 9115
Uses and write-back 9116
Other operating charges
Taxes related to operation 640 347.50 347,50
Other charges 641/8 18.457,92 21.750.00
Hired temporary staff and persons placed at the enterprise's
disposal
Total number at the closing date communication of communications of 9096
Average number calculated as full-time equivalents 9097
Number of actual worked hours 9098
Charges to the enterprise measurements and consumer and consumer 617

INCOME TAXES AND OTHER TAXES

Codes Period
INCOME TAXES
Income taxes on the result of the period 9134
Income taxes paid and withholding taxes due or paid 9135
Excess of income tax prepayments and withholding taxes paid recorded under assets 9136
Estimated additional taxes 9137
Income taxes on the result of prior periods 9138
Additional income taxes due or paid 9139
Additional income taxes estimated or provided for numeron manufacture continuum manufacture 9140
In so far as taxes of the period are materially affected by differences between the profit before
taxes as stated in annual accounts and the estimated taxable profit
Use loss carried forward 225.650,54
Non deductible expenses .376.77
Period

Impact of non recurring results on the amount of the income taxes relating to the current period

Codes Period
Status of deferred taxes
Deferred taxes representing assets 9141 2.131.566,02
Accumulated tax losses deductible from future taxable profits 9142 2.131.566.02
Passieve fatenties procedure communication continued to the continuum continuum construction of the continuum of 9144
Allocation of deferred taxes representing liabilities
Codes Period Previous period
9145 598.914.79 764.708,24
9146 661.350.02 957.502.41
9147 132.240.53 39,684.58
9148 339.807,53

RIGHTS AND COMMITMENTS NOT REFLECTED IN THE BALANCE SHEET

Codes Period
PERSONAL GUARANTEES PROVIDED OR IRREVOCABLY PROMISED BY THE ENTERPRISE
AS SECURITY FOR DEBTS AND COMMITMENTS OF THIRD PARTIES And Commitment Commitment
9149
Of which
Bills of exchange in circulation endorsed by the enterprise 9150
Bills of exchange in circulation drawn or guaranteed by the enterprise 9151
Maximum amount for which other debts or commitments of third parties are guaranteed by the
enterprise annonnammannon anno anno anno anno anno
9153
REAL GUARANTEES
Real guarantees provided or irrevocably promised by the enterprise on its own assets as
security of debts and commitments of the enterprise
Mortgages
Book value of the immovable properties mortgaged 9161
Amount of registration .9171
Pledging of goodwill - Amount of the registration 9181
Pledging of other assets - Book value of other assets pledged 9191 468,927,446,90
Guarantees provided on tuture assets - Amount of assets involved 9201
Real guarantees provided or irrevocably promised by the enterprise on its own assats as
security of debts and commitments of third parties
Mortgages
Book value of the immovable properties mortgaged 9162
Amount of registration communication in the constitution of the communication of the contractor of the 9172
Pledging of goodwill - Amount of the registration 9182
Pledging of other assets - Book value of other assets pledged 9192
Guarantees provided on future assets - Amount of assets involved manuscription in the component 9202
Codes Period
GOODS AND VALUES, NOT DISCLOSED IN THE BALANCE SHEET, HELD BY THIRD PARTIES IN
THEIR OWN NAME BUT AT RISK TO AND FOR THE BENEFIT OF THE ENTERPRISE
SUBSTANTIAL COMMITMENTS TO ACQUIRE FIXED ASSETS
SUBSTANTIAL COMMITMENTS TO DISPOSE OF FIXED ASSETS
FORWARD TRANSACTIONS
Goods purchased (to be received) manuature communications and constructions of the community 9213
Goods sold (to be delivered) magazinaminaminaminaminaminaminaminaminaminam 9214
Currencies purchased (to be received) 9215
Currencles sold (to be delivered) 9216

RIGHTS AND COMMITMENTS NOT REFLECTED IN THE BALANCE SHEET

COMMITMENTS RELATING TO TECHNICAL GUARANTEES IN RESPECT OF SALES OR SERVICES

AMOUNT, NATURE AND FORM CONCERNING LITIGATION AND OTHER IMPORTANT COMMITMENTS

SUPPLEMENT RETIREMENTS OR SURVIVORS PENSION PLANS IN FAVOUR OF THE PERSONNEL OR THE EXECUTIVES OF THE ENTERPRISE

Brief description

0671,974,626

Nr.

Measures taken by the enterprise to cover the resulting charges

Code Period
PENSIONS FUNDED BY THE ENTERPRISE
Estimated amount of the commitments resulting from past services manumental commitment
Methods of estimation
9220
Period
NATURE AND FINANCIAL IMPACT OF SIGNIFICANT EVENTS AFTER THE CLOSING DATE NOT
INCLUDED IN THE BALANCE SHEET OR THE INCOME STATEMENT
Period
COMMITMENTS TO PURCHASE OR SALE AVAILABLE TO THE COMPANY AS ISSUER OF OPTIONS FOR
SALE OR PURCHASE
Period
NATURE AND COMMERCIAL OBJECTIVE OF TRANSACTIONS NOT REFLECTED IN THE BALANCE
SHEET
Provided that the risks or advantages coming from these transactions are significant and if the
disclosure of the risks or advantages is necessary to appreciate the financial situation of the company

$C6.14$

Period
٠

$\sqrt{\frac{C}{C}}$

Nr. 0671.974.626

$C6.14$

RIGHTS AND COMMITMENTS NOT REFLECTED IN THE BALANCE SHEET

OTHER RIGHTS AND COMMITMENTS NOT REFLECTED IN THE BALANCE SHEET (including those which can not be quantified)

Period ٠
ï ٠
Codes Period Previous period
AFFILIATED ENTERPRISES
Financial fixed assets (280/1) 468.927.446.90 468.927.446.90
Participating interests and communications in the communication of the community (280) 466.927.446,90 468.927.446,90
Subordinated amounts receivable 9271
Other amounts receivable 9281
Amounts receivable 9291 3.127.551,34 7.878.941.13
Over one year 9301
Within one year 9311 3.127.551,34 7.878.941,13
Current Investments 9321
$\mathsf{Shares}$ 9331
Amounts receivable 9341
Amounts payable , 9351 111.158.26 1.386.721,85
Over one year 9361
Within one year 9371 111.158.26 1.386.721.85
Personal and real guarantees
Provided or irrevocably promised by the enterprise as security for debts
or commitments of affiliated enterprises
9381 468.927.446,90 468.927.446.90
Provided or irrevocably promised by affiliated enterprises as security for
debts or commitments of the enterprise
9391
Other significant financial commitments
Financial results
Income from financial fixed assets 9421
income from current assets 9431
Other financial income 9441
Debt charges 9461
Other financial charges manumeral communication communications and 9471
Disposal of fixed assets
Capital gains obtained communications are communicated in products 9481
Capital losses suffered communications are consuming and consumer 9491

Null

÷.

Codes Period Previous period
ASSOCIATED ENTERPRISES
Financial fixed assets communication in communication and contract the 9253
Participating interests communications communications and community 9263
Subordinated amounts receivable 9273
Other amounts receivable 9283
Amounts receivable manufactured and communications are an analyzed 9293
Over one year 9303
Within one year 9313
Amounts payable 9353
Over one year 9363
Within one year 9373
Personal and real guarantees
Provided or krevocably promised by the enterprise as security for debts
or commitments of associated enterprises
9383
Provided or irrevocably promised by associated enterprises as security
for debts or commitments of the enterprise
9393
Other significant financial commitments 9403
OTHER ENTERPRISES LINKED BY PARTICIPATING INTERESTS
Financial fixed assets 9252
Participating interests 9262
Subordinated amounts receivable 9272
Other amounts receivable manufactured component communications. 9282
Amounts receivable procedures and construction of the contractor of the Amount of the Amount of the Amount of 9292
Over one year 9302
Within one year 9312
Amounts payable minimum manufacture communication and continues 9352
Over one year 9362
Within one year 9372

TRANSACTIONS WITH ENTERPRISES LINKED BY PARTICIPATING INTERESTS OUT OF MARKET CONDITIONS

Mention of these transactions if they are significant, including the amount of the transactions, the nature of the link, and all information about the transactions which should be necessary to get a better understanding of

Period

Nr. 0671,974.626

FINANCIAL RELATIONSHIPS WITH

ENTERPRISES CONTROLLED BY THESE PERSONS
Amounts receivable from these persons recommendational construction of the contract construction 9500
Conditions on amounts receivable, rate, duration, possibly reimbursed amounts, canceled
amounts or renounced amounts
Guarantees provided in their favour communication and construction and construction and 9501
Other significant commitments undertaken in their favour commission commission consumers 9502
Amount of direct and indirect remunerations and pensions, included in the income statement, as
long as this disclosure does not concern exclusively or mainly, the situation of a single
identifiable person
To directors and managers 9503 992.512.42
To former directors and former managers 9504
Codes Period
AUDITORS OR PEOPLE THEY ARE LINKED TO
Auditor's fees 9505. 44,680,00
Fees for exceptional services or special missions executed in the company by the auditor
Other attestation missions
95061
Tax.consultancy 95062
Other missions external to the audit 95063
Fees for exceptional services or special missions executed in the company by people they are
linked to
Other attestation missions
********
95081
Tax consultancy concommunication and consumer the consumer and consumer and consumer that 95082
Other missions external to the audit 95083

Mentions related to article 133, paragraph 6 from the Companies Code

The audit committee of Balta Group NV approved the Auditor's fees paid for other attestation missions and other missions external to the audit for the entire Balta Group.

INFORMATION RELATING TO CONSOLIDATED ACCOUNTS

INFORMATION TO DISCLOSE BY EACH ENTERPRISE THAT IS SUBJECT TO COMPANY LAW ON THE CONSOLIDATED ACCOUNTS OF ENTERPRISES

The enterprise has drawn up published a consolidated annual statement of accounts and a management report*

The enterprise has not published a consolidated annual statement of accounts and a management report, since it is exempt for this cobligation for the following reason

-The enterprise and its suberdiaries on consolidated basis exceed not more than one of limits mentioned in art 46 of Company Lawt

The enterprise only has subsidiaries which, considering the assessment of the consolidated assets, consolidated financial position or consolidated results, individual or together, are of a negligible size* (Art. 410 of Gempany Law)

The enterprise itself is a subsidiary of an enterprise which does prepare and publish consolidated accounts in which annual accounts -of the enterprise are included*

Name, full address of the registered office and, for an enterprise governed by Belgian Law, the company number of the parent company(ies) and the specification whether the parent company(ies) prepare(s) and publish(es) consolidated annual accounts in which the annual accounts of the enterprise are included**

If the parent company(les) is (are) (an) enterprise(s) governed by foreign law disclose where the consolidated accounts can be obtained**

Delete where no appropriate.

Where the accounts of the enterprise are consolidated at different levels, the information should be given for the consolidated aggregate at the highest level on the one hand and the lowest level on the other hand of which the enterprise is a subsidiary and for which consolidated accounts are prepared and published.

FINANCIAL RELATIONSHIPS OF THE GROUP LED BY THE ENTERPRISE IN BELGIUM WITH AUDITORS OR WITH PEOPLE THEY ARE LINKED TO

Codes Period
Mentions related to article 134, paragraphs 4 and 5 from the Companies Code
Auditor's fees according to a mandate at the group level led by the company publishing the
information
tikkooneesistavaleen myös keskosaan osa loon ta elemeet teritoota maalinet teritoota maalineet teritoota element
9507 270,810,00
Fees for exceptional services or special missions executed in these group by the auditor
Other attestation missions
$\label{prop:main} In particular, there exists a nontrivial property is a nontrivial property, and we have a nontrivial property is a nontrivial property.$
95071 39.638.00
Tax consultancy equipments requirements and consumer the consumer consumer and consultance 95072
Other missions external to the audit manufacture extensive continuous construction of the contract of the contract of the contract of the contract of the contract of the contract of the contract of the contract of the cont 95073
Fees to people auditors are linked to according to the mandate at the group level led by the
company publishing the information communication in the communication in the communication of the community of
9509
Fees for exceptional services or special missions executed in the group by people they are
linked to
Other attestation missions communication communication construction communication 95091
Tax.consultancy ; 95092
Other missions external to the audit communication communications are communicated in the contractors. 95093

Mentions related to article 133, paragraph 6 from the Companies Code

$\mathbf{r}$

VALUATION RULES

In accordance with the Royal resolution of the Belgian Company code of art, 28§1, the following valuation rules were applied which are approved by the Board of Directors:

Formation and restructuring expenses: the formation and restructuring expenses are immediately recognized in the Income statement.

Financial fixed assets: are valued at historical cost. Revaluations are only booked when they are sustainable and fixed, Impairment losses are only recognized in the event of sustainable losses or depreciation, justified by the condition, profitability and the future outlook of the company in which the participations or the shares are held.

Debts and receivables: valued at nominal value taking into account the possible collectability of the receivables. At the end of the financial year, debts and receivables are revaluated using the exchange rates as published by the European Central Bank (ECB). The negative exchange rate differences are recognized in the income statement Provision for doubtful debtors take into account the amounts covered by the credit insurance. Doubtful receivables which are not insured. are depreciated in function of the recoverability of the debt.

Grants and other compensating amounts: are included in the income statement at the moment the related costs are recognized in the income statement.

Provisions for ilabilities and charges: are set up to cover losses or charges that are probable or certain at the balance sheet date but for which the amount is not vet certain.

Accrued and deferred charges and accrued and deferred income: valued at nominal value to ascertain a correct recognition in the income statement in the correct financial year.

In the case the balance shows a loss carried forward or the income statement of the financial year and the income statement of the previous year shows a loss in two consecutive periods, in accordance with article 96, §1, 6° of the Belgian Companies Code, the annual report contains a justification of the application of the valuation rules under going concern.

The Company incurred a number of one-off costs which related to the formation of the Company and the IPO. These one-off costs have been financed with cash received from the capital increase. The remaining portion of the capital increase received in cash was used to berform a capital increase in LSF9 Balta Issuer S.à r.f.

The Board proposes to apply the valuation rules under going concern.

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